Why This Role Stands Out
Embrace a pivotal leadership role where you will shape the financial strategy of a growing company, gaining valuable experience in planning, reporting, and optimizing financial processes. This remote position is ideal for an analytical and entrepreneurial finance professional eager to drive strategic decisions and advance their career in a dynamic environment. Apply now to make a significant impact!
Quick Overview
Job Description
Your Role
As Head of Finance, you are responsible for budget planning, reporting, and forecasting, manage cash flow and liquidity, optimize financial processes, and provide financial analyses and the basis for strategic decisions within the company.
🤝 Your Responsibilities
You develop and implement the financial strategy in alignment with company goals.
You build a reliable financial planning and forecasting model (P&L, cash flow, balance sheet).
You maintain transparent cost and budget controlling across all departments.
You take ownership of the entire financial tool stack.
You oversee communication with external partners such as tax advisors, auditors, banks, and investors.
💙 Your Profile
5+ years of experience in controlling & accounting or a comparable role in a fast-growing environment.
Deep knowledge of financial planning, budgeting, reporting, and cash flow management.
Extensive understanding of revenue metrics & SaaS KPIs.
Strong analytical skills and accuracy.
Entrepreneurial thinking, initiative, and proactive collaboration with the leadership team.
🚀 What We Offer:
Flexible working hours in a hybrid model
A dynamic startup environment with plenty of room for creativity and flat hierarchies
A motivated, supportive team with big ambitions
Personal development budget and regular development reviews
Attractive additional benefits such as Hansefit, bike leasing, team events, workation, support for your work-life balance, and many other advantages!
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